FULLER & THALER ASSET MANAGEMENT /CA
13F-HR/A, 2000-05-24
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UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549


FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Quarter Ended: March 31, 2000

Institutional Investment Manager Filing this Report:

 Name:Fuller & Thaler Asset Management, Inc.
 Address:411 Borel
 Suite 402
 San Mateo, CA 94402

13F File Number:

The institutional investment manager filing this report
and the person by whom it is signed hereby represent that
the person signing the report is authorized to submit it,
that all information contained herein is true, correct and
complete,and that it is understood that all required items,
statements, schedules, lists, and tables, are considerd
integral parts of this form.

Person Singing this Report on Behalf of Reporting Manager:

Name:Qiao Wen
Title:Quantitative Analyst
Phone:650-572-8334
Signature, Place, and Date of Signing:
Qiao Wen   San Mateo, California, May 2, 2000

Report Type(Eheck only one.):
[x]13F Holdings Report
[  ]13F Notice
[  ]13F Combination Report


I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>

FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included managers:None
Form 13F Information Table Entry Total:	202
Form 13F Information Table Value Total:	$1,572,308,503

<PAGE>

<TABLE>		                               <C>                                 <C>

        NAME OF ISSUER            TITTLE        CUSIP     VALUE    SH/PRN SH/PINVSTMTOTHER  VOTING AUTHORITY
                                  OF CLASS               (*$1000)   AMT       DSCRETNMANAGER  SOLE  SHARE  NONE
ABAXIS INC                    COM NPV         002567105        976 116,500 SH SOLE           116,500            0
ABBOTT LABORATORIES           COM NPV         002824100        229   6,500 SH SOLE             6,500            0
ACUSON CORP                   COM NPV         005113105        582  39,300 SH SOLE            39,300            0
ADVO INC                      COM USD.01      007585102      4,293 171,700 SH SOLE           105,200       66,500
ALLIED PRODUCTS               COM USD.01      019411107        347 115,700 SH SOLE           115,700            0
ADAPTEC INC                   COM USD.001     00651F108     17,833 461,700 SH SOLE           386,100       75,600
AUTODESK INC                  COM NPV         052769106     26,572 584,000 SH SOLE           509,400       74,600
AMERN EAGLE OUTFITTERS INC    COM NPV         02553E106        247   6,500 SH SOLE             6,500            0
ALLMERICA FINANCIAL CORP      COM USD.01      019754100        235   4,600 SH SOLE             4,600            0
AMERICAN FINL GROUP INC       COM USD1        025932104        512  17,900 SH SOLE            10,100        7,800
ALLERGAN INC                  COM USD.01      018490102     28,935 578,700 SH SOLE           501,500       77,200
ACCLAIM ENMNT INC             COM USD.02      004325205        921 278,000 SH SOLE           179,200       98,800
ALDILA INC                    COM USD.01      014384101      1,9481,005,50 SH SOLE           603,200      402,300
AMPHENOL CORP                 CL A COM USD.001032095101        245   2,400 SH SOLE             2,400            0
AIRGAS INC                    COM USD.01      009363102      4,516 543,300 SH SOLE           217,600      325,700
ARROW ELECTRONICS INC         COM USD1        042735100        250   7,100 SH SOLE             7,100            0
AMERICAN STANDARD COS INC     COM USD.01      029712106     18,822 508,700 SH SOLE           419,200       89,500
CROSS (A.T.) & CO  -CL A      CL A COM USD1   227478104        615 104,600 SH SOLE           104,600            0
AVADO BRANDS INC              COM USD.01      05336P108      1,481 526,600 SH SOLE           345,900      180,700
AVX CORP                      COM USD1        002444107     41,015 541,000 SH SOLE           468,600       72,400
AMERICA WEST HLDG CP  -CL B   CL B COM USD.5  023657208      4,363 281,500 SH SOLE           117,300      164,200
BED BATH & BEYOND INC         COM USD.01      075896100        224   5,700 SH SOLE             5,700            0
BRUNSWICK CORP                COM USD.75      117043109        259  13,700 SH SOLE            13,700            0
BE AEROSPACE INC              COM USD.01      073302101      1,208 205,600 SH SOLE           132,200       73,400
BELL & HOWELL COMPANY         COM USD.01      077852101     11,691 374,100 SH SOLE           342,200       31,900
BJS WHOLESALE CLUB INC        COM USD.01      05548J106     24,456 637,300 SH SOLE           535,400      101,900
BJ SERVICES CO                COM USD.1       055482103     36,258 490,800 SH SOLE           418,900       71,900
BARNES & NOBLE INC            COM USD.001     067774109        253  10,800 SH SOLE            10,800            0
BELLSOUTH CORP                COM USD1        079860102        225   4,800 SH SOLE             4,800            0
BANTA CORP                    COM USD.1       066821109      3,069 167,000 SH SOLE           100,900       66,100
BANK UNITED CORP  -CL A       CL A COM USD.01 065412108      2,629  83,300 SH SOLE            50,700       32,600
BELCO OIL & GAS CORP          COM USD.01      077410108        471  45,400 SH SOLE            45,400            0
BISYS GROUP INC               COM USD.02      055472104        226   3,400 SH SOLE             3,400            0
COMPUTER ASSOCIATES INTL INC  COM USD.1       204912109        195   3,300 SH SOLE             3,300            0
CAMERON ASHLEY BLDG PROD INC  COM NPV         133290106        473  27,400 SH SOLE            27,400            0
CARRIER ACCESS CORP           COM USD.001     144460102     16,257 305,300 SH SOLE           280,900       24,400
CARDINAL HEALTH INC           COM NPV         14149Y108        211   4,600 SH SOLE             4,600            0
CORSAIR COMMUNICATIONS INC    COM USD.001     220406102      4,684 244,900 SH SOLE           244,900            0
CONCURRENT COMPUTER CP        COM USD.01      206710204      5,675 447,300 SH SOLE           283,000      164,300
CADENCE DESIGN SYS INC        COM USD.01      127387108      2,100 101,800 SH SOLE           101,800            0
CENTRAL GARDEN & PET CO       CL B COM USD.01 153527106      3,966 401,600 SH SOLE                 0      401,600
CENTIGRAM COMMUNICATIONS CP   COM NPV         152317103        612  32,200 SH SOLE            32,200            0
CHURCH & DWIGHT INC           COM NPV         171340102     13,042 758,800 SH SOLE           689,500       69,300
CIGNA CORP                    COM USD1        125509109        235   3,100 SH SOLE             3,100            0
COLGATE-PALMOLIVE CO          COM USD1        194162103        242   4,300 SH SOLE             4,300            0
CLICKACTION INC               COM USD.001     18681E107        794  16,000 SH SOLE            16,000            0
COMPUCOM SYSTEMS INC          COM USD.001     204780100      1,101 209,700 SH SOLE           117,600       92,100
COPPER MTN NETWORKS INC       COM USD.001     217510106     31,448 383,800 SH SOLE           312,900       70,900
CAREMARK RX INC               COM USD.001     141705103      1,943 464,000 SH SOLE           290,300      173,700
COLONIAL BANCGROUP            COM NPV         195493309        231  21,500 SH SOLE            21,500            0
CONEXANT SYSTEMS INC          COM NPV         207142100     47,847 673,900 SH SOLE           603,100       70,800
COLUMBIA BKG SYS INC          COM NPV         197236102        298  25,400 SH SOLE            25,400            0
COMPAQ COMPUTER CORP          COM USD.01      204493100        190   7,100 SH SOLE             7,100            0
CIRRUS LOGIC INC              COM NPV         172755100      6,700 367,100 SH SOLE           224,600      142,500
1-800 CONTACTS INC            COM USD.01      681977104        672  19,400 SH SOLE            19,400            0
COVANCE INC                   COM NPV         222816100      2,946 274,000 SH SOLE           130,500      143,500
CVS CORP                      COM USD1        126650100        222   5,900 SH SOLE             5,900            0
DEB SHOPS INC                 COM USD.01      242728103        298  21,700 SH SOLE            21,700            0
DIRECT FOCUS INC              COM NPV         254931108        701  25,200 SH SOLE            25,200            0
DIGI INTERNATIONAL INC        COM USD.01      253798102      1,491 161,200 SH SOLE           107,400       53,800
DIGITAL GENERATION SYS INC    COM NPV         253921100      3,727 518,500 SH SOLE           347,500      171,000
DITECH COMMUNICATIONS CORP    COM USD.001     25500M103     37,101 349,800 SH SOLE           320,700       29,100
DOW JONES & CO INC            COM USD1        260561105        223   3,100 SH SOLE             3,100            0
DORAL FINANCIAL CORP          COM USD1        25811P100      2,277 201,300 SH SOLE           124,400       76,900
DARDEN RESTAURANTS INC        COM NPV         237194105      4,735 265,800 SH SOLE           101,000      164,800
ENGELHARD CORP                COM USD1        292845104      3,433 227,000 SH SOLE            83,600      143,400
ELECTRONIC DATA SYSTEMS CORP  COM USD.1       285661104        212   3,300 SH SOLE             3,300            0
EEX CORP                      COM NPV         26842V207        995 294,698 SH SOLE           175,599      119,099
ELECTROGLAS INC               DIVISION EQUITY 285324109     20,995 613,000 SH SOLE           555,200       57,800
EASTMAN KODAK CO              COM USD2.5      277461109        201   3,700 SH SOLE             3,700            0
ELECTRONICS BOUTIQUE HLDG CP  COM USD.01      286045109        335  17,500 SH SOLE            17,500            0
CALLAWAY GOLF CO              COM USD.01      131193104      6,553 422,800 SH SOLE           181,700      241,100
ENESCO GROUP INC              COM USD.25 VTG  292973104      1,378 195,100 SH SOLE           118,900       76,200
ENCAD INC                     COM NPV         292503109        231  42,000 SH SOLE            42,000            0
ESS TECHNOLOGY INC            COM NPV         269151106     21,9211,252,60 SH SOLE          1,139,500     113,100
FIRST AMER FINL CP CA         COM USD1        318522307      3,695 265,100 SH SOLE           162,200      102,900
FURNITURE BRANDS INTL INC     COM NPV         360921100      1,422  75,600 SH SOLE                 0       75,600
F5 NETWORKS INC               COM NPV         315616102      8,550 126,200 SH SOLE           115,200       11,000
FILENET CORP                  COM USD.01      316869106     23,880 802,700 SH SOLE           738,600       64,100
FOAMEX INTERNATIONAL INC      COM USD.01      344123104      4,477 474,400 SH SOLE           297,900      176,500
FOSSIL INC                    COM USD.01      349882100     12,127 517,400 SH SOLE           474,525       42,875
REPUBLIC FIRST BANCORP INC    COM NPV         760416107        238  50,100 SH SOLE            50,100            0
FACTORY 2-U INC               COM USD.0001    303072102        378  15,100 SH SOLE            15,100            0
GADZOOKS INC                  COM USD.01      362553109      7,463 344,100 SH SOLE           218,400      125,700
CORNING INC                   COM USD5        219350105        233   1,200 SH SOLE             1,200            0
GLOBESPAN INC                 COM USD.001     379571102     32,192 315,800 SH SOLE           274,100       41,700
HIBERNIA CORP  -CL A          CL A COM NPV    428656102      1,779 169,400 SH SOLE            59,800      109,600
HARTFORD LIFE INC  -CL A      CL A COM USD.01 416592103        258   5,500 SH SOLE             5,500            0
STARWOOD HOTELS&RESORTS WRLD  SHS BEN INT USD185590A203        211   8,200 SH SOLE             8,200            0
HYPERION SOLUTIONS CORP       COM USD.001     44914M104     23,868 734,400 SH SOLE           669,600       64,800
IBP INC                       COM USD.05      449223106     12,668 804,300 SH SOLE           658,700      145,600
INTEGRATED DEVICE TECH INC    COM NPV         458118106     10,378 261,900 SH SOLE           122,500      139,400
IN FOCUS SYSTEMS INC          COM NPV         452919103        763  21,300 SH SOLE            21,300            0
INTERVOICE-BRITE INC          COM NPV         461142101      8,862 306,900 SH SOLE           191,200      115,700
IVAX CORP                     COM USD.001     465823102     11,117 407,950 SH SOLE           165,900      242,050
BAKER (J) INC                 COM USD.5       057232100        378  54,000 SH SOLE            54,000            0
HARLAND (JOHN H.) CO          COM USD1        412693103      2,692 199,400 SH SOLE           121,400       78,000
JONES PHARMA INC              COM USD.04      480236108     14,583 480,100 SH SOLE           410,600       69,500
JUSTIN INDUSTRIES             COM USD2.5      482171105        567  31,500 SH SOLE            31,500            0
ROMAC INTERNATIONAL INC       COM USD.01      775835101      1,572 173,500 SH SOLE           104,800       68,700
KULICKE & SOFFA INDUSTRIES    COM NPV         501242101     28,079 438,300 SH SOLE           404,700       33,600
KRONOS INC                    COM USD.01      501052104        281   9,500 SH SOLE             9,500            0
LINCOLN ELECTRIC HLDGS INC    COM NPV         533900106      4,172 172,500 SH SOLE           105,700       66,800
LILLY (ELI) & CO              COM USD.625     532457108        232   3,700 SH SOLE             3,700            0
LANCE INC                     COM USD.83      514606102      1,583 149,000 SH SOLE            95,300       53,700
ALLIANT CORP                  COM NPV         018802108        225   7,400 SH SOLE             7,400            0
LIGHTBRIDGE INC               COM USD.01      532226107        734  31,400 SH SOLE            31,400            0
LIMITED INC                   COM USD.5       532716107      6,164 146,335 SH SOLE            58,705       87,630
LEUCADIA NATIONAL CORP        COM USD1        527288104      2,021  85,100 SH SOLE                 0       85,100
LEXMARK INTL GRP INC  -CL A   CL A COM USD.01 529771107     20,600 194,800 SH SOLE           169,100       25,700
MAY DEPARTMENT STORES CO      COM USD1        577778103        202   7,100 SH SOLE             7,100            0
MENTOR GRAPHICS CORP          COM NPV         587200106      5,953 393,600 SH SOLE           230,500      163,100
MERIX CORP                    COM NPV         590049102        874  37,600 SH SOLE            37,600            0
MGM GRAND INC                 COM USD1        552953101     15,245 635,222 SH SOLE           497,756      137,466
MICHAELS STORES INC           COM USD.1       594087108     26,019 638,500 SH SOLE           589,300       49,200
MODEM MEDIA POPPE TYSON INC   CL A COM USD.001607533106     15,232 470,500 SH SOLE           428,400       42,100
MONY GROUP INC                COM USD.01      615337102        236   7,300 SH SOLE             7,300            0
MOTOROLA INC                  COM USD3        620076109      1,434   9,825 SH SOLE                 0        9,825
MEASUREMENT SPECIALTIES INC   COM NPV         583421102        618  24,400 SH SOLE            24,400            0
NBTY INC                      COM USD.008     628782104     10,742 784,800 SH SOLE           729,300       55,500
NATIONWIDE FINL SVCS  -CL A   CL A COM USD.01 638612101        234   8,000 SH SOLE             8,000            0
NEWPARK RESOURCES             COM USD.01      651718504      6,097 762,100 SH SOLE           457,000      305,100
NORTEL NETWORKS CORP          COM NPV         656568102        227   1,800 SH SOLE             1,800            0
NETSCOUT SYSTEMS INC          COM USD.001     64115T104        382  22,800 SH SOLE            22,800            0
NUCOR CORP                    COM USD.4       670346105        215   4,300 SH SOLE             4,300            0
OFFICE DEPOT INC              COM USD.01      676220106        222  19,200 SH SOLE            19,200            0
ORTHOLOGIC CORP               COM USD.0005    68750J107        481  78,600 SH SOLE            78,600            0
OWENS & MINOR INC             COM USD2        690732102      3,863 363,600 SH SOLE           222,700      140,900
OMI CORP                      COM USD.5       Y6476W104      1,783 467,700 SH SOLE           498,700      -31,000
OFFICEMAX INC                 COM NPV         67622M108      5,836 897,900 SH SOLE           364,400      533,500
ONTRACK DATA INTL INC         COM USD.01      683372106        549  53,200 SH SOLE            53,200            0
BANK ONE CORP                 COM NPV         06423A103        275   8,000 SH SOLE             8,000            0
OVERSEAS SHIPHOLDING GROUP    COM USD1        690368105        601  26,200 SH SOLE            28,200       -2,000
PAUL HARRIS STORES            COM NPV         703555201      1,553 512,400 SH SOLE           327,200      185,200
PACCAR INC                    COM USD12       693718108        230   4,600 SH SOLE             4,600            0
PG&E CORP                     COM USD5        69331C108        212  10,100 SH SOLE            10,100            0
PARADYNE NETWORKS INC         COM USD.001     69911G107     19,976 644,400 SH SOLE           592,300       52,100
PETSMART INC                  COM USD.0001    716768106      2,984 994,600 SH SOLE           628,350      366,250
PIER 1 IMPORTS INC/DE         COM USD1        720279108      6,123 597,400 SH SOLE           366,200      231,200
PMI GROUP INC                 COM USD.01      69344M101      6,055 127,650 SH SOLE            56,050       71,600
PROGRESS SOFTWARE CORP        COM USD.01      743312100     25,5771,091,30 SH SOLE           989,900      101,400
PRECISION RESPONSE CORP       COM USD.01      740314109      6,203 255,800 SH SOLE           152,400      103,400
PROJECT SOFTWARE & DEV INC    COM USD.01      74339P101     31,578 558,900 SH SOLE           506,500       52,400
PHOENIX INVESTMENT PARTNERS   COM USD.01      719085102        770  99,300 SH SOLE            59,600       39,700
QAD INC                       COM USD.001     74727D108        402  45,300 SH SOLE            45,300            0
QLOGIC CORP                   COM USD.1       747277101     78,007 575,700 SH SOLE           503,900       71,800
RALSTON PURINA CO             COM USD.1       751277302      1,757  63,900 SH SOLE             8,000       55,900
RARE HOSPITALITY INTL INC     COM NPV         753820109      4,175 214,800 SH SOLE           139,200       75,600
REPUBLIC BANCORP INC          COM NPV         760282103      2,620 280,430 SH SOLE           172,570      107,860
READERS DIGEST ASSN  -CL A    CL A COM USD.01 755267101      5,756 162,700 SH SOLE           117,500       45,200
RICHARDSON ELEC LTD           COM USD.05      763165107        757  68,800 SH SOLE            68,800            0
RF MICRO DEVICES INC          COM NPV         749941100     21,043 156,600 SH SOLE           135,700       20,900
ROBERT HALF INTL INC          COM USD1        770323103     27,995 590,300 SH SOLE           507,500       82,800
ROHM & HAAS CO                COM USD2.5      775371107        232   5,200 SH SOLE             5,200            0
ROSS STORES INC               COM USD.01      778296103      7,286 302,800 SH SOLE           127,700      175,100
RTI INTL METALS INC           COM USD.01      74973W107      2,096 237,900 SH SOLE           249,000      -11,100
SEARS ROEBUCK & CO            COM USD.75      812387108      1,657  54,100 SH SOLE             6,500       47,600
SUCCESSORIES INC              COM USD.01      864591102        337 149,800 SH SOLE           149,800            0
SCI SYSTEMS INC               COM USD.1       783890106        263   4,900 SH SOLE             4,900            0
SEAGATE TECHNOLOGY            COM NPV         811804103     11,537 187,600 SH SOLE            89,000       98,600
SEITEL INC                    COM NPV         816074306      4,507 567,800 SH SOLE           320,300      247,500
SCIENTIFIC-ATLANTA INC        COM USD.5       808655104     53,453 845,100 SH SOLE           711,300      133,800
SILICON GRAPHICS INC          COM USD.001     827056102         15   1,400 SH SOLE             1,400            0
SMITH INTERNATIONAL INC       COM NPV         832110100      4,503  58,100 SH SOLE            58,100            0
S3 INCORPORATED               COM USD.0001    784849101     25,6431,221,10 SH SOLE          1,115,200     105,900
SAKS INC                      COM USD.1       79377W108      3,321 229,000 SH SOLE           100,100      128,900
SMARTDISK CORP                COM USD.001     83169Q105        435  16,400 SH SOLE            16,400            0
SEMTECH CORP                  COM USD.01      816850101     47,605 743,100 SH SOLE           677,800       65,300
SEMITOOL INC                  COM NPV         816909105      1,000  55,000 SH SOLE            55,000            0
SOLUTIA INC                   COM USD.01      834376105        235  17,600 SH SOLE            17,600            0
SENSORMATIC ELECTRONICS       COM USD.01      817265101     26,9651,201,80 SH SOLE          1,105,700      96,100
SERENA SOFTWARE INC           COM USD.0001    817492101      1,197  37,550 SH SOLE            37,550            0
STATION CASINOS INC           COM USD.01      857689103     24,5571,125,80 SH SOLE          1,041,800      84,000
SILICON VALLEY GROUP INC      COM USD.01      827066101      5,745 208,900 SH SOLE           208,900            0
SAFEWAY INC                   COM NPV         786514208        235   5,200 SH SOLE             5,200            0
SYBASE INC                    COM USD.001     871130100     27,1441,336,30 SH SOLE          1,209,500     126,800
THREE-FIVE SYSTEMS INC        COM USD.01      88554L108     10,388 173,132 SH SOLE           112,197       60,935
TOLLGRADE COMMUNICATIONS INC  COM USD.2       889542106      1,314  24,800 SH SOLE            24,800            0
TMP WORLDWIDE INC             COM USD.001     872941109     37,825 486,500 SH SOLE           410,700       75,800
TOO INC                       COM NPV         890333107     15,248 483,100 SH SOLE           446,000       37,100
TOPPS CO INC                  COM USD.01      890786106      3,616 435,000 SH SOLE           270,200      164,800
TOYS R US INC                 COM USD.1       892335100        244  16,500 SH SOLE            16,500            0
TRIMBLE NAVIGATION LTD        COM NPV         896239100        883  34,300 SH SOLE            34,300            0
TUPPERWARE CORP               COM USD.01      899896104      3,570 225,800 SH SOLE            75,600      150,200
TITAN INTERNATIONAL INC       COM NPV         88830M102        915 127,300 SH SOLE           109,800       17,500
UNIONBANCAL CORP              COM USD5        908906100        229   8,300 SH SOLE             8,300            0
UNIVERSAL HEALTH SVCS  -CL B  CL B COM USD.01 913903100     23,084 471,100 SH SOLE           433,500       37,600
UNOVA INC                     COM USD.01      91529B106      3,341 247,500 SH SOLE           153,600       93,900
US ONCOLOGY INC               COM USD.01      90338W103      1,112 247,100 SH SOLE           140,300      106,800
UNIROYAL TECHNOLOGY CORP      COM USD.01      909163107      1,452  30,900 SH SOLE            30,900            0
UTAH MEDICAL PRODUCTS INC     COM USD.01      917488108        334  44,500 SH SOLE            44,500            0
VARIAN MEDICAL SYTEMS INC     COM USD1        92220P105     25,299 554,500 SH SOLE           510,400       44,100
VARIAN INC                    COM USD.01      922206107     31,675 825,400 SH SOLE           752,900       72,500
VDI MULTIMEDIA                COM NPV         917916108        617  43,300 SH SOLE            43,300            0
VIANT CORP                    COM USD.001     92553N107     12,573 375,300 SH SOLE           346,000       29,300
VIRCO MANUFACTURING           COM USD.5       927651109        222  21,370 SH SOLE            21,370            0
VISHAY INTRTECHNOLOGY         COM USD.1       928298108        217   3,900 SH SOLE             3,900            0
WHIRLPOOL CORP                COM USD1        963320106     19,546 333,400 SH SOLE           279,000       54,400
WESTWOOD ONE INC              COM USD.01      961815107     25,785 711,300 SH SOLE           609,000      102,300
XIRCOM INC                    COM USD.001     983922105      5,750 155,400 SH SOLE           143,100       12,300
TRICON GLOBAL RESTAURANTS     COM NPV         895953107      1,401  45,100 SH SOLE                 0       45,100
ZALE CORP                     COM USD.01      988858106     21,371 452,900 SH SOLE           406,800       46,100
</TABLE>


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